The Financial Blind Side

How Your Investment Advisor’s Bias Limits Your Wealth

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  • Home
  • The Blind Side
  • Table of Contents
  • Chapter Summaries
    • A System of Misconception
    • Ethics (or the Lack Thereof)
    • The Tax-Deferral Deception
    • The Enemies of Building Wealth
    • The Coming Tax Bomb
    • The Bogus Math of Tax Deferral
    • Other Tax Advantaged Options
    • The Holy Grail for Investment
    • The Naysayers and Bad Press
    • Time for Tequila! The Incredibly Boring Details
    • Chapter 11 Summary: The Pension Election Dilemma – A Better Option
    • Are all Annuities Scams?
    • What the Heck is a MEC?
    • 529 Plans Can Increase College Cost
    • The Pathetic Qualifications of Some Advisors
  • Charts & Graphs
  • About the Author
  • Press Kit
  • Reviews
  • Contact

Charts & Graphs

Posted on January 2, 2020 by Kim McDougall

Reading The Financial Blind Side on an e-reader? Click the link below to download a view of all the charts and graphs included in the book:

The Wealth Conspiracy Charts and Graphs

“Curtis Hill has insight that needs to be heard and as a seasoned stockbroker he knows his stuff.” ~ Amazon Reviewer


Get the Book

Book cover: The Financial Blind Side

  • Dig through the avalanche of financial marketing
  • Expose the history of poor ethics of big financial firms
  • Identify how most annuities buyers have been deceived
  • Shelter from the tax time bomb Wall Street purposely ignores
  • Protect yourself from investment risks and volatility
  • Survive and thrive through the next financial disaster
  • Learn how tax-deferral can put you at a disadvantage
  • Differentiate between building wealth and retirement planning
  • Discover how 529 college saving plan can increase college cost

Buy it now on Amazon.


The Financial Blind Side Webinar

    Curtis Hill provides insurance services through Serenity Wealth Management. Investment advisory services are offered through a separate entity, Portfolio Medics, LLC, a registered investment advisor.  Serenity Wealth Management and Portfolio Medics, LLC are not affiliated. Nothing in this website should be construed as investment, tax, accounting or legal advice. California Insurance License #0B50660

    Information on any Security Broker can be checked at FINRA’s www.BrokerCheck.org

    Information on any Registered Investment Advisor can be checked at SEC’s www.adviserinfo.sec.gov.

    This site is published for residents of the United States and is for informational purposes only and does not constitute an offer to sell or a solicitation of an offer to buy any security or product that may be referenced herein. Persons mentioned on this website may only offer services and transact business and/or respond to inquiries in states or jurisdictions in which they have been properly registered or are exempt from registration. Not all products and services referenced on this site are available in every state, jurisdiction or from every person listed.

    Contact Serenity Wealth Management

    1223 S. Roxbury Dr., Suite 303
    Los Angeles, CA 90035
    Office (818) 646-8464
    Cell (213) 509-8245
    Fax (818-900-0699
    Curtis@SerenityWealthManagement.com

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